ScorecardNuclear › SMR

SMR analyst scorecard

27 rating changes on SMR in the last 12 months. 54% of bullish calls were right at 30 days; 57% of bearish ones. Street grade C on 20 scored calls. Consensus target $12, 43% above the last close.

Graded through 2026-09-14 · last close $8.64 (2026-09-14). Rebuilt every morning.

Street grade
C 55.0%
Rating changes, 12 mo
27
Bullish calls right at 30d
53.8% of 13
Bearish calls right at 30d
57.1% of 7
Consensus target
$12 +43.2%
Firms covering
15
Price targets hit (90d)
20.0% of 20

Holds on SMR, read: 0 cut to or raised to Hold (graded as the change) · 7 Holds whose target leaned 10%+ one way (graded that way, 57.1% right) · 6 true Holds, not graded.

Firm by firm

FirmCallsScoredRightAccuracyGradeAvg 30dAvg 90dLatestDateTarget
Citigroup 554 80.0% A -17.5% -28.6% Sell2026-08-06 $6
Goldman Sachs 211 -6.9% -18.6% Neutral2026-03-02 $14
Truist Securities 111 +14.5% Hold2026-07-14 $10
B. Riley Securities 332 +4.8% -27.6% Buy2026-08-14 $15
Barclays 332 -0.8% -35.5% Equal-Weight2026-07-23 $11
Canaccord Genuity 221 -1.1% -5.1% Buy2026-08-06 $15
RBC Capital 420 -2.5% -31.5% Sector Perform2026-08-11 $10
UBS 300 -7.8% -25.3% Sell2026-09-11 $6
Cantor Fitzgerald 220 -34.7% -29.7% Overweight2026-02-24 $20
HSBC 100 -3.9% -31.8% Hold2026-04-23 $13
Bank of America 110 +17.4% -59.8% Underperform2025-09-30 $34

Dimmed rows have fewer than 4 scored calls on SMR — too few to grade.

Every call, last 12 months

DateFirmChangeActionGraded asPrice at callRun before+30d+60d+90dTarget · 90d checkHit
2026-09-11 UBS Neutral → Sell downgrade Bearish $8.61 -10.2% $6 pending
2026-08-14 B. Riley Securities Buy → Buy maintained Bullish $9.39 +12.3% -8.0% $15
2026-08-11 RBC Capital Sector Perform → Sector Perform maintained True hold · target +1% $9.89 +9.4% +3.2% $10 not graded
2026-08-06 Canaccord Genuity Buy → Buy maintained Bullish $9.47 +5.7% +18.1% $15
2026-08-06 Citigroup Sell → Sell maintained Bearish $9.47 +5.7% +18.1% $6
2026-07-23 Barclays Equal-Weight → Equal-Weight maintained Leans bullish · Equal-Weight, target +24% $8.81 -18.9% +2.7% $11
2026-07-14 Truist Securities Hold initiated Leans bullish · Hold, target +16% $8.60 -13.0% +14.5% +0.4% $10
2026-05-11 Citigroup Sell → Sell maintained Bearish $13.29 +44.3% -30.1% -32.0% -30.9% $7 close
2026-04-24 B. Riley Securities Buy → Buy maintained Bullish $11.96 +2.3% +2.2% -9.2% -26.3% $19 missed
2026-04-23 HSBC Hold initiated True hold · target +2% $12.72 +11.3% -3.9% -11.6% -31.8% $13 missed not graded
2026-04-21 Citigroup Sell → Sell maintained Bearish $11.67 +2.0% -2.9% -3.7% -31.8% $9 hit
2026-03-18 UBS Neutral → Neutral maintained True hold · target +8% $12.03 -15.9% +5.2% -12.9% -17.8% $13 missed not graded
2026-03-02 Citigroup Sell → Sell maintained Bearish $13.05 -25.3% -21.4% -7.0% -1.2% $12 missed
2026-03-02 Goldman Sachs Neutral → Neutral maintained True hold · target +7% $13.05 -25.3% -21.4% -7.0% -1.2% $14 missed not graded
2026-03-02 RBC Capital Sector Perform → Sector Perform maintained True hold · target +7% $13.05 -25.3% -21.4% -7.0% -1.2% $14 missed not graded
2026-02-27 Canaccord Genuity Buy → Buy maintained Bullish $12.85 -37.3% -20.2% -8.0% -5.1% $25 missed
2026-02-24 Barclays Equal-Weight → Equal-Weight maintained Leans bullish · Equal-Weight, target +11% $13.43 -32.1% -18.2% -5.8% -9.0% $15 missed
2026-02-24 Cantor Fitzgerald Overweight → Overweight maintained Bullish $13.43 -32.1% -18.2% -5.8% -9.0% $20 missed
2025-12-22 B. Riley Securities Buy → Buy maintained Bullish $16.43 -11.7% +20.2% -18.2% -28.8% $24 missed
2025-12-12 Goldman Sachs Neutral → Neutral maintained Leans bullish · Neutral, target +25% $18.34 -29.4% +7.5% -8.7% -35.9% $23 missed
2025-11-25 UBS Neutral → Neutral maintained True hold · target +6% $18.73 -50.4% -20.7% -1.8% -32.7% $20 missed not graded
2025-11-10 RBC Capital Sector Perform → Sector Perform maintained Leans bullish · Sector Perform, target +12% $28.43 -27.6% -28.5% -27.9% -37.8% $32 missed
2025-10-21 Cantor Fitzgerald Overweight initiated Bullish $38.37 -18.0% -51.3% -57.2% -50.5% $55 missed
2025-10-21 Citigroup Neutral → Sell downgrade Bearish $38.37 -18.0% -51.3% -57.2% -50.5% $38 hit
2025-09-30 Bank of America Neutral → Underperform downgrade Bearish $36.00 +17.4% -49.8% -59.8% $34 hit
2025-09-29 Barclays Equal-Weight initiated Leans bullish · Equal-Weight, target +17% $38.16 +13.1% -47.6% -62.0% $45 missed
2025-09-15 RBC Capital Sector Perform initiated Leans bearish · Sector Perform, target -10% $39.09 +36.7% -42.6% -55.5% $35 hit

Also in Nuclear

CCJOKLOLEUBWXTNuclear vs URA →

Interactive version with the price chart and target overlay: Scorecard tab on the dashboard. All covered names: index.

How the grading works

Every sell-side rating change from the last 365 days is priced the day it lands and checked again 30, 60 and 90 days later. A call is a hit when the stock moved in the called direction at 30 days. Buy- and Sell-side ratings call their own direction. A Hold is read, not waved through: a downgrade to Hold is graded as a bearish call and an upgrade to Hold as a bullish one, and a maintained Hold whose price target sits 10%+ above the price leans bullish (10%+ below, leans bearish) and is graded that way. A Hold with a target close to the price is a true Hold and is not graded at all. Every call with a price target also gets a target check 90 days later: hit (reached it or within 5%), close (covered at least half the distance) or missed. A firm's accuracy on a single name prints only after 4 scored calls, and a firm gets its own page only after 10 scored calls across every covered name — below that a percentage is noise. "Run before the call" is the stock's move over the 30 calendar days before the rating landed. Data: Yahoo Finance rating history and daily closes, rebuilt each morning. Nothing on this page is advice.

Get the 7 AM brief

The AM take, today's docket and the Street's calls — one email, weekdays, before the open.